Financials
Value 202020212022202320242025 TTM Cash from investing activities -338.36 M8.78 M-286.13 M-686.32 M-176.89 M-199.09 M -199.09 M Cash from financing activities 192.27 M-110.73 M-339.21 M99.96 M-461.36 M-404.68 M -404.68 M Free cash flow 134.31 M205.13 M391.43 M254.93 M361.47 M74.45 M 74.45 M